Minim Financial Ratios for Analysis 2009-2024 | MINM

Fifteen years of historical annual and quarterly financial ratios and margins for Minim (MINM).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202320222021202020192018201720162015201420132012201120102009
0.932.142.251.271.691.411.471.703.552.132.752.293.514.353.04
---0.00-----------
-0.350.170.32-0.450.030.31-0.390.130.31---
1.8023.5634.1328.3528.9936.0234.8130.0931.5329.3427.6024.7426.0632.1827.94
-65.91-29.72-3.48-10.04-8.560.16-4.12-16.17-6.86-1.17-6.29-4.63-7.43-0.66-24.31
-65.91-29.72-3.48-10.04-8.560.16-4.12-16.17-6.86-1.17-6.29-4.63-7.43-0.66-24.31
-62.87-27.19-1.36-9.27-6.951.29-2.42-13.12-5.74-1.10-6.20-4.53-7.24-0.46-23.75
-67.38-30.49-3.85-7.98-8.64-0.15-4.60-16.41-7.651.09-9.44-4.96-6.852.03-23.94
-67.55-30.72-3.97-8.04-8.71-0.23-4.65-16.45-7.721.03-9.47-4.98-6.872.02-23.99
2.111.641.021.622.712.653.351.981.572.973.022.872.512.412.41
2.581.521.082.083.592.613.692.532.654.884.754.203.443.324.88
37.2218.3511.365.219.2411.7113.197.1410.006.576.717.479.0610.688.95
9.8119.8932.1470.0039.5031.1727.6651.1336.5055.5454.3848.8540.3034.1940.77
-15,213.02-95.13-7.21-49.53-53.62-1.92-43.10-70.49-16.175.67-44.63-25.24-24.026.30-84.02
-21,330.45-95.56-7.29-52.55-53.62-1.92-43.10-70.49-16.175.67-44.63-25.24-24.026.30-84.02
-142.67-50.22-4.05-13.03-23.56-0.61-15.55-32.51-12.133.05-28.63-14.29-17.224.86-57.81
-15,212.54-95.13-7.21-49.43-53.62-1.92-43.10-70.49-16.175.67-44.63-25.24-24.026.30-84.02
0.048.7016.615.557.306.015.197.089.566.767.4710.4012.9815.2638.70
2.50-6.56-8.97-7.01-2.13-2.832.24-7.56-0.98-1.290.67-4.80-4.05-12.49-10.67
2.41-6.71-9.35-7.62-2.37-3.202.07-7.66-1.45-1.370.55-4.87-4.05-12.63-10.85

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.480.760.930.981.411.772.142.032.042.322.252.301.231.271.271.421.611.831.691.921.931.271.411.531.511.491.471.511.351.541.701.591.762.803.556.061.812.302.132.342.062.352.752.552.422.182.292.372.913.283.513.162.544.194.352.452.392.733.043.05--
--------------0.000.030.04---------------------------------------------
---13.980.500.390.350.280.230.250.170.221.040.870.320.080.080.07---0.720.450.430.050.010.030.170.660.480.310.590.16---0.500.220.390.300.430.190.130.110.280.310.310.250.16-------------
-32.3925.53-44.776.7524.2719.8922.2919.7431.5146.2329.8830.0733.9932.8532.2320.6725.8924.5228.7633.9330.1931.5836.3736.3339.3636.6435.7332.1333.7027.3432.1430.1930.6627.8332.6832.8631.2830.8127.1630.2829.6425.1625.1334.4924.9825.1225.0224.0124.8627.0324.9223.6428.7839.6333.0225.7230.6132.1026.2132.0919.44
--510.97-75.11-100.38-75.89-36.51-40.96-28.57-33.32-18.46-16.5911.90-9.70-3.57-16.22-2.76-14.80-6.19-10.63-2.19-9.56-13.48-10.264.240.914.42-3.884.81-3.35-20.44-18.15-4.26-24.33-26.75-40.110.64-3.050.90-3.061.42-3.17-0.68-7.71-9.202.21-11.24-6.74-3.90-5.26-2.820.08-8.65-12.56-10.084.966.68-4.56-14.54-17.40-34.28-8.64-42.23
--510.97-75.11-100.38-75.89-36.51-40.96-28.57-33.32-18.46-16.5911.90-9.70-3.57-16.22-2.76-14.80-6.19-10.63-2.19-9.56-13.48-10.264.240.914.42-3.884.81-3.35-20.44-18.15-4.26-24.33-26.75-40.110.64-3.050.90-3.061.42-3.17-0.68-7.71-9.202.21-11.24-6.74-3.90-5.26-2.820.08-8.65-12.56-10.084.966.68-4.56-14.54-17.40-34.28-8.64-42.23
--------------------------------------------------------------
--510.96-77.03-101.86-77.46-37.86-42.18-29.25-34.02-19.04-16.9611.36-10.22-3.62-8.93-2.81-14.81-6.24-10.87-1.80-9.71-13.90-11.013.870.834.35-4.364.45-3.81-21.15-19.16-4.03-24.42-26.75-40.81-0.17-3.930.159.040.71-3.94-1.14-18.33-9.851.68-11.82-7.31-4.48-5.49-2.840.16-8.67-10.28-10.1314.606.62-4.63-11.94-17.36-34.26-8.92-40.25
--509.30-78.27-101.85-77.80-37.86-42.55-29.37-34.41-19.09-17.1711.31-10.43-3.63-9.01-2.84-14.87-6.29-10.88-1.84-9.87-14.00-11.073.840.634.30-4.364.39-3.94-21.15-19.23-4.07-24.45-26.75-40.90-0.23-4.080.159.000.66-4.04-1.18-18.37-9.901.65-11.84-7.33-4.50-5.50-2.870.15-8.69-10.30-10.1314.566.62-4.63-11.95-17.38-34.42-8.93-40.25
-0.430.120.440.320.370.340.340.270.270.190.270.460.500.460.530.531.030.760.760.570.710.610.740.690.821.010.950.700.660.570.700.520.410.260.490.610.830.680.860.610.780.770.600.680.600.670.630.760.780.720.640.540.550.560.860.790.580.630.53--
--0.110.920.360.360.330.350.300.290.170.450.530.550.560.841.762.121.071.220.800.860.640.910.690.941.081.040.880.730.760.960.730.570.461.630.791.291.091.740.751.191.260.750.910.790.980.821.031.010.980.930.820.860.691.221.421.011.201.08--
-29.442.092.233.723.373.852.232.052.562.151.301.611.741.491.832.052.012.602.292.302.512.702.052.842.943.974.082.662.442.062.091.991.911.641.722.071.941.501.701.731.691.721.821.581.861.751.832.023.232.612.632.051.962.482.461.932.602.332.10--
-3.0643.1340.3124.1626.7423.3640.4143.8635.2141.9369.3155.9351.8260.3249.2243.8144.7734.6539.2939.1835.8333.2944.0031.6830.6222.6422.0733.8236.8243.6943.1445.3347.0554.8552.3943.5246.4760.1452.8252.0653.2352.3849.3256.9048.3351.3349.1944.5627.8934.4834.2343.9845.9036.3336.6146.7434.6438.6542.95--
27.67256-988.24-5,028.40-81.11-32.83-27.66-19.66-18.00-8.87-5.905.30-22.11-6.79-15.88-4.57-20.11-13.23-18.82-2.78-11.15-38.19-21.327.651.199.66-12.1910.92-9.09-34.08-23.78-6.72-26.21-15.80-14.05-0.14-5.090.2111.300.98-4.73-1.57-22.15-9.641.89-12.92-8.71-4.87-6.33-3.230.15-8.10-9.13-7.2510.559.38-6.11-10.68-15.84-26.36--
121-5,998.11-1,385.63-6,955.76-81.60-32.96-27.79-19.88-18.19-8.96-5.965.37-23.41-7.17-16.85-4.57-20.11-13.23-18.82-2.78-11.15-38.19-21.327.651.199.66-12.1910.92-9.09-34.08-23.78-6.72-26.21-15.80-14.05-0.14-5.090.2111.300.98-4.73-1.57-22.15-9.641.89-12.92-8.71-4.87-6.33-3.230.15-8.10-9.13-7.2510.559.38-6.11-10.68-15.84-26.36--
-51.18-216.86-9.27-44.64-24.59-14.06-14.60-10.02-9.29-5.11-3.313.01-4.76-1.80-4.18-1.50-7.93-6.46-8.27-1.39-5.59-10.00-6.762.850.433.51-4.404.18-2.76-13.99-10.97-2.84-12.78-10.84-10.54-0.12-2.480.126.080.57-2.46-0.91-14.21-5.911.12-7.06-4.93-2.83-4.17-2.250.11-5.55-5.56-5.538.155.71-3.67-6.96-10.90-18.14--
121-3,914.99-988.21-5,028.34-81.11-32.83-27.66-19.66-18.00-8.87-5.905.30-22.11-6.79-15.85-4.43-19.28-13.23-18.82-2.78-11.15-38.19-21.327.651.199.66-12.1910.92-9.09-34.08-23.78-6.72-26.21-15.80-14.05-0.14-5.090.2111.300.98-4.73-1.57-22.15-9.641.89-12.92-8.71-4.87-6.33-3.230.15-8.10-9.13-7.2510.559.38-6.11-10.68-15.84-26.36--
-0.140.030.040.073.666.578.7011.0913.2715.5316.6117.474.935.685.557.817.996.687.308.598.704.546.017.026.225.855.195.744.965.397.086.486.718.419.5610.876.476.786.767.127.067.387.478.199.399.2610.4011.3911.9312.6812.9814.9916.3818.0015.2637.5433.4935.2238.7041.74--
-1.02-0.902.501.961.310.72-6.56-6.16-4.61-2.34-8.97-5.76-3.67-3.52-7.010.023.60-1.59-2.13-1.01-1.74-0.40-2.83-2.97-0.750.212.241.05-0.52-0.47-7.56-6.73-4.14-2.74-0.98-1.19-0.260.95-1.29-0.67-2.02-0.480.670.850.170.46-4.80-4.47-3.92-0.33-4.05-1.06-0.45-0.71-12.49-9.93-10.80-0.32-10.67-7.53-6.20-2.88
-1.02-0.902.411.881.230.71-6.71-6.30-4.68-2.41-9.35-6.08-3.88-3.71-7.62-0.253.52-1.61-2.37-1.15-1.86-0.40-3.20-3.28-0.830.182.070.91-0.67-0.47-7.66-6.79-4.18-2.76-1.45-1.32-0.290.93-1.37-0.69-2.02-0.480.550.740.060.39-4.87-4.52-3.97-0.33-4.05-1.06-0.44-0.72-12.63-10.09-10.91-0.32-10.85-7.69-6.36-2.89